|
12/31/08
|
|
FINRA and FINRA Investor Education Foundation Protect Seniors from Investment Fraud, Help Military Save for Future
|
|
12/16/08
|
|
FINRA Provides Details on Special Arbitration Procedure for ARS Consequential Damages
|
|
12/8/08
|
|
FINRA Launches Comprehensive Mutual Fund Expense Analyzer
|
|
12/8/08
|
|
FINRA Investor Education Foundation Announces 2009 Grant Program
|
|
11/21/08
|
|
Small Firms Elect Coordinated Capital Securities CEO Mari Buechner to Fill Vacant FINRA Board of Governors Seat
|
|
11/13/08
|
|
Citigroup Global Markets Fined $300,000 for Failing to Supervise Commissions Charged to Customers on Stock and Option Trades
|
|
10/29/08
|
|
J.P. Turner Fined $250,000 for Failing to Supervise Commissions Charged on Stock Trades
|
|
10/23/08
|
|
FINRA Announces Agreements in Principle with Three Additional Firms to Settle Auction Rate Securities Violations
|
|
10/21/08
|
|
FINRA Investment Tools Help Investors Opening New Accounts Get Started Off Right
|
|
10/20/08
|
|
Military Spouses Awarded Fellowships to Provide Financial Counseling and Education to Military Community
|
|
10/16/08
|
|
FINRA Fines Banorte Securities International $1.1 Million for Improper Sales of Class B Mutual Fund Shares
|
|
10/15/08
|
|
FINRA Fines SunTrust Investment Services $700,000 for Fee-Based Account and Excessive Commission Violations
|
|
10/1/08
|
|
FINRA Alerts Investors of U.S. Treasury Program to Guarantee Money Market Funds that "Break the Buck"
|
|
9/26/08
|
|
FINRA Dispute Resolution Proposes Raising Threshold for Three-Arbitrator Cases
|
|
9/18/08
|
|
FINRA Announces Agreements in Principle with Five Firms to Settle Auction Rate Securities Violations
|
|
9/15/08
|
|
FINRA Advises Investors on How to Safeguard Their Brokerage Accounts
|
|
9/15/08
|
|
Statement of the Financial Industry Regulatory Authority Regarding Lehman Brothers, Inc. and Neuberger Berman, LLC
|
|
9/11/08
|
|
FINRA Bars Two Registered Representatives for Insider Trading
|
|
9/9/08
|
|
Questions About Online Brokerage? Reverse Mortgages? 401(k) Investing? FINRA Launches New Podcast Series to Give Investors an Earful of Advice
|
|
9/4/08
|
|
FINRA Sanctions Three Brokers for Sales of CMOs to Retail Investors
|
|
9/3/08
|
|
FINRA Expels Barron Moore and Takes Disciplinary Actions Against Seven Individuals for Illegal Sales of Unregistered Penny Stocks
|
|
8/13/08
|
|
FINRA and NYSE Regulation Announce Agreement With Ten U.S. Exchanges to Strengthen Surveillance, Investigation and Enforcement to Prevent Insider Trading
|
|
8/7/08
|
|
FINRA Creates Process for Arbitrations Involving Auction Rate Securities
|
|
7/24/08
|
|
FINRA to Launch Pilot Program to Evaluate All-Public Arbitration Panels
|
|
7/1/08
|
|
FINRA to Conduct Special Election to Fill Vacant Board Seat
|
|
7/1/08
|
|
FINRA, International Foundation Partner on Resources for Companies, Employees to Guard Against Early Retirement Seminar Scams
|
|
6/26/08
|
|
FINRA Warns Investors About Compromising Important Assets in Uncertain Economic Times
|
|
6/4/08
|
|
James P. Donovan Named FINRA Senior Executive Vice President
|
|
5/29/08
|
|
FINRA Warns Investors: Don't "Swipe" Out Your Retirement Savings With 401(k) Debit Cards
|
|
5/15/08
|
|
FINRA Warns International Investors of Advance-Fee Fraudsters Misusing FINRA's Name and Impersonating FINRA Employees
|
|
5/15/08
|
|
FINRA Fines Three Firms a Total of $1.6 Million for OATS Reporting and Supervision Violations
|
|
5/14/08
|
|
FINRA Seeks Comment on Proposals for Consolidated Rules Governing Financial Responsibility, Supervision, Books & Records, Investor Education
|
|
5/12/08
|
|
FINRA Warns Job Seekers About Online Classifieds Scams Aimed at Identity Theft, Financial Fraud
|
|
5/8/08
|
|
GunnAllen Financial Pays $750,000 to Settle Charges Involving Former Head Trader's Trade Allocation Scheme, AML and Supervisory Deficiencies, Additional Charges
|
|
4/30/08
|
|
FINRA's National Adjudicatory Council Affirms $5 Million Fine Against American Funds Distributors for Violating FINRA's Anti-Reciprocal Rule
|
|
4/25/08
|
|
FINRA Hearing Panel Dismisses 2004 Sales Practices Complaint Against H&R Block Financial Advisors
|
|
4/24/08
|
|
FINRA Alert Cautions Investors on Speculating with Catastrophe Bonds and Other Event-Linked Securities
|
|
4/24/08
|
|
FINRA Proposes Rule Change to Require Reporting of Customer Allegations of Sales Practice Violations Against Brokers in All Arbitrations, Civil Lawsuits - Even When Broker Is Not an Official Party to the Dispute
|
|
4/22/08
|
|
FINRA Introduces Resources for Companies, Employees to Guard Against Early Retirement Seminar Scams
|
|
4/9/08
|
|
FINRA Issues Guidance on Best Practices for Detecting and Preventing "Rogue" Trading
|
|
3/31/08
|
|
Self-Regulators Warn Against Spreading False Rumors and Other Abusive Market Activity
|
|
3/31/08
|
|
FINRA Issues Guidance to Investors Caught in ARS Auction Failures
|
|
3/31/08
|
|
Statement of FINRA CEO Mary L. Schapiro Regarding Treasury Secretary's Blueprint on Revamping Financial Services Regulation
|
|
3/24/08
|
|
FINRA Hearing Panel Fines, Suspends Investprivate's Chairman and CEO for Failure to Disclose Tax Liens, Customer Complaints
|
|
3/14/08
|
|
Statement of the Financial Industry Regulatory Authority Regarding Bear Stearns' Broker Dealers
|
|
3/13/08
|
|
FINRA Warns Senior Investors About Reversing Fortunes With Reverse Mortgages
|
|
3/7/08
|
|
SEC, FINRA Announce 14 Regional CCOutreach BD Seminars
|
|
3/6/08
|
|
FINRA Fines, Suspends 16 State Farm Representatives for Test-Taking Irregularities in the Firm's Continuing Education Program
|
|
2/28/08
|
|
FINRA Settles with Five Firms for Supervisory Failures, Improper Mutual Fund Sales to More than 5,300 Households; Tens of Millions of Dollars to be Returned to Customers
|
|
2/21/08
|
|
Oppenheimer & Co. to Pay $4.5 Million to Settle FINRA Market Timing Charges
|
|
2/21/08
|
|
FINRA Investor Education Foundation Grants Exceed $14M
|
|
2/14/08
|
|
FINRA Charges Broker for Misappropriating Almost $400,000 from 97-Year-Old Widow and Her Charitable Foundation
|
|
2/8/08
|
|
SEC, NASAA and FINRA Announce New Steps to Help Protect Senior Investors
|
|
1/29/08
|
|
FINRA Fines Banc One for Unsuitable Variable Annuity Sales, Inadequate Supervision of Fixed-to-Variable Annuity Exchanges
|
|
1/9/08
|
|
SMH Capital Fined $450,000 for Procedural Failures Regarding Soft Dollar Payments, Distributing Improper Hedge Fund Sales Materials
|
|
1/8/08
|
|
FINRA Fines 19 Firms a Total of $2.8 Million for Inaccurate Advertised Trade Volume Information
|
|
1/7/08
|
|
FINRA Investor Education Foundation and the American Library Association Announce $853,000 in Grants to Libraries Nationwide
|